Royce Value Trust Inc(XRVTX) USD 15.08
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.05%USD 0.008USD0.0082022-06-10
20210.40%USD 0.06USD0.012021-12-10
USD0.0212021-06-10
USD0.0292021-03-10
20200.77%USD 0.116USD0.0282020-12-10
USD0.0282020-09-10
USD0.0292020-06-10
USD0.0312020-03-11
20194.17%USD 0.629USD0.0292019-12-11
USD0.032019-09-12
USD0.282019-06-12
USD0.292019-03-08
20188.36%USD 1.26USD0.372018-12-12
USD0.32018-09-13
USD0.32018-06-08
USD0.292018-03-09
20177.69%USD 1.16USD0.352017-12-12
USD0.282017-09-12
USD0.272017-06-09
USD0.262017-03-10
20166.76%USD 1.02USD0.272016-12-09
USD0.242016-09-09
USD0.252016-06-09
USD0.262016-03-10
20158.22%USD 1.24USD0.372015-12-10
USD0.282015-09-10
USD0.292015-06-11
USD0.32015-03-11
201412.07%USD 1.82USD0.882014-12-11
USD0.322014-09-11
USD0.312014-06-12
USD0.312014-03-11
20134.95%USD 0.746USD0.212013-12-11
USD0.18492013-09-12
USD0.17572013-06-12
USD0.17572013-03-04
20124.91%USD 0.74USD0.22192012-12-04
USD0.16642012-09-04
USD0.17572012-06-04
USD0.17572012-03-02
20114.78%USD 0.721USD0.18492011-12-02
USD0.19422011-09-01
USD0.17572011-06-02
USD0.16642011-03-03
20100.18%USD 0.028USD0.02772010-12-02
20091.96%USD 0.296USD0.29592009-03-04
200810.55%USD 1.59USD0.35142008-12-04
USD0.38832008-09-04
USD0.41612008-06-04
USD0.43462008-03-04
200711.34%USD 1.711USD0.43462007-12-04
USD0.43462007-09-04
USD0.41612007-06-04
USD0.42532007-03-02
200610.91%USD 1.646USD0.46232006-12-04
USD0.40682006-09-01
USD0.39762006-06-02
USD0.37912006-03-02
20059.87%USD 1.489USD0.37912005-12-02
USD0.36982005-09-01
USD0.36982005-06-02
USD0.36982005-03-03
20049.50%USD 1.433USD0.44382004-12-02
USD0.35142004-09-03
USD0.33292004-06-04
USD0.30512004-03-04
20037.97%USD 1.202USD0.33292003-12-04
USD0.26812003-09-04
USD0.28662003-06-04
USD0.31442003-03-11
20029.26%USD 1.396USD0.34212002-12-04
USD0.35142002-09-04
USD0.36062002-06-04
USD0.34212002-03-04
20019.14%USD 1.378USD0.34212001-12-04
USD0.35142001-09-04
USD0.34212001-06-04
USD0.34212001-03-02
20009.07%USD 1.368USD0.41612000-12-04
USD0.32362000-09-01
USD0.32362000-06-02
USD0.30512000-03-02